Financials
Valor 202020212022202320242025 TTM Cash from investing activities -1.59 M-1.56 M-997 K-1.71 M-4.13 M-4.95 M -4.95 M Cash from financing activities 1.89 M4.94 M-921 K1.7 M40.95 M-981 K -981 K Free cash flow 5.65 M-8.41 M-1.58 M4.43 M-18.82 M-15.68 M -15.68 M